Forty-third annual report of the Trustees of the Northampton Lunatic Hospital, for the year ending September 30, 1898.
- Northampton Lunatic Hospital
- Date:
- 1899
Licence: Public Domain Mark
Credit: Forty-third annual report of the Trustees of the Northampton Lunatic Hospital, for the year ending September 30, 1898. Source: Wellcome Collection.
15/68 (page 13)
![1898.] PUBLIC DOCUMENT — Payments. Salaries and wages, .. Provisions and supplies : — $37,579 92 Meats of all kinds, ..... $6,116 18 Fish of all kinds,. 1,294 61 Fruit and vegetables, . 2,450 06 Flour (780 barrels),. 4,148 00 Grain and meal for table, .... 298 48 Tea, coflee and chocolate, .... 1,022 20 Sugar and molasses, ..... 2,339 13 Grain and meal for stock, .... 3,161 40 Butter and cheese, ..... 4,377 40 Other groceries,. 2,092 53 All other provisions,. 1,202 66 28,502 65 Clothing, ........ 2,511 83 Fuel and lights, ....... 7,023 46 Medicine and medical supplies,.... • 9 9 1,214 69 Furniture, beds and bedding, .... • • e 2,403 90 Transportation and travelling expenses, . • • a 757 88 Ordinary construction and repairs, . 0 » 0 1,448 72 Farm stock, ....... $408 19 Farm supplies, .. 2,092 76 Water,.. 1,488 10 Minor expenses,. 2,512 07 Contingencies, . . 1,042 00 7,466 12 Total current expenses, .... « e e $88,909 17 Extraordinary expenses,. $10,044 84 Paid loan, ........ 4,030 00 Cash refunded patients,. 447 99 14,522 83 $103,432 00 Cash on hand Sept. 30, 1898, . e t • 1,252 40 $104,684 40 Resources. Cash on hand, ....... $1,252 40 Due from Commonwealth,..... 2,405 93 from cities and towns, .... 17,754 21 from individuals,. 6,967 69 $28,380 23 Liabilities. Salaries and wages due Oct. 1, 1898, $3,224 02 Miscellaneous bills due,. 8,201 96 Patients’ money, . . 1,070 80 <£10 7Q $12,496 78](https://iiif.wellcomecollection.org/image/b30302705_0015.jp2/full/800%2C/0/default.jpg)